MoneyMasters Podcast 5-22-25- How Bond Yields Are Reacting to China's Trade War
Is the bond market flashing a warning that most investors are ignoring?
In this episode of the MoneyShow MoneyMasters Podcast , Crossmark Global Investment’s chief market strategist Victoria Fernandez breaks down what the Moody’s downgrade of US debt really means — and how tariffs, inflation, and political uncertainty are reshaping the fixed income landscape.
Just Released: To get a FREE copy of the complete MoneyShow 2025 Top Picks Report , click HERE .)
You’ll hear how Chinese trade tensions are impacting global yields, why bond market volatility is back, and what sectors investors should be cautious — or bullish — on right now. Victoria also unpacks the disconnect between soft data and hard data in the US economy and why the labor market may be weaker than it looks. Plus, she shares actionable insights on positioning in Treasuries, corporate bonds, and stocks — and flags key tail risks for the back half of 2025.
See also: Why and How to Track Sovereign Wealth Funds Amid Global Power Struggles
If you’re watching interest rates, trading bonds, or trying to navigate the market’s next move — don’t miss this one.
One last thing: Victoria will be joining us at the 2025 MoneyShow Masters Symposium Las Vegas , happening July 15-17 at Caesars Palace. Click here to register .
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